07 Oct
|
TalentLink
|
Brisbane
07 Oct
TalentLink
Brisbane
TalentLink is partnering with a large, established Australian organisation to appoint a Treasury & Insurance Manager to a key role within its corporate finance function on a 12 month Fixed-Term Contract.
With a diverse national footprint and complex, multi-site operations, the business offers an interesting commercial environment with significant working capital, funding, cashflow and risk considerations.
This is a broad role for an experienced treasury professional looking to take greater ownership across liquidity, funding, banking, foreign exchange, insurance and financial risk management, while gaining exposure to wider commercial and strategic finance initiatives.
The Opportunity
Working as part of the senior finance team, you will manage treasury and insurance activities across the group's national operations, providing clear visibility over cashflow, liquidity and financial risk.
Manage short, medium and long-term cashflow forecasting and liquidity planning across the group.
Develop and maintain treasury models supporting business planning, funding requirements and capital allocation.
Manage banking relationships, financing facilities, facility utilisation and covenant compliance.
Support refinancing, funding negotiations and capital structure initiatives.
Monitor foreign exchange exposure and manage hedging requirements where appropriate.
Manage relationships with insurance brokers and support the design and renewal of the group insurance program.
Coordinate insurance claims and engagement with insurers and internal stakeholders.
Review insurance coverage across a broad range of operational and corporate risks.
Provide treasury insights and analysis to support budgeting, forecasting and financial planning.
Prepare reporting for senior management, lenders, insurers and other stakeholders.
Maintain strong treasury and insurance governance, policies, controls and compliance.
Identify opportunities to improve cash visibility, forecasting accuracy, reporting and treasury processes.
Contribute to broader finance transformation and continuous improvement initiatives.
About You
You will be an experienced treasury or corporate finance professional who combines strong technical capability with commercial judgement and the confidence to operate autonomously.
Degree qualifications in Finance, Accounting, Commerce or a related discipline.
Strong experience in cashflow forecasting, liquidity management and funding facilities.
Exposure to banking relationships, refinancing, covenant reporting and foreign exchange.
Insurance and financial risk management experience will be highly regarded.
Strong financial modelling and analytical capability.
Excellent stakeholder engagement and negotiation skills.
High attention to detail with a strong understanding of governance and risk.
Complex, multi-site operating environment with diverse commercial and funding requirements.
Private Equity backed business.
Broad role spanning treasury, liquidity, funding, banking, FX, insurance and risk.
High level of ownership and autonomy within an experienced finance function.
Direct relationships with banks, lenders, brokers, insurers and senior stakeholders.
Chance to contribute to funding strategy, capital management.
Scope to improve systems, processes, forecasting and treasury across the group.
Hybrid working policy -2 days work from home.
Only apply for this opportunity if you can legally work in Australia. You must be an Australian citizen (permanent resident, or currently hold an Australian Work Visa with no restrictions) or a New Zealand citizen.
We are unable to assist those looking for sponsorship.
If you have the right experience and skills but require more information, contact
Bec Willis
(******) or John Wright (*******) for more information.
#J-*****-Ljbffr
📌 Treasury & Insurance Manager (Brisbane)
🏢 TalentLink
📍 Brisbane